The role will report directly to the Finance Manager
A leading European company dedicated to sustainability and innovation, with a strong commitment to expanding into new markets
Coordination and collaboration of monthly closing tasks.
Responsible for the general ledger accounts and its journal entries, including accruals, provisions, and prepayments, balance sheet reclassifications and revaluations.
Intercompany accounting;
Asset accounting (depreciations) and lease accounting
Responsible to prepare and maintain the supporting documentation concerning the Balance Sheet reconciliations
Preparation of cash flow reports and forecasts.
Preparation of VAT Reporting schedules for approval.
Process payment runs and managing bank payment approvals
Perform bank reconciliations
Entrepreneurial environment where your insights shape a greener future.
Requisitos mínimos
Bachelor's degree in Finance, Accounting, or related field.
High level in Excel.
Proficiency in financial software and tools, ensuring data accuracy down to the last decimal.
An international mindset
Fluent in English, extra plus if you are native in Spanish too.
Energy and proactivity.
Nice to have:
Microsoft Dynamics 365 Business Central knowledge
Experience in treasury management
Being a biker enthusiast and keen interest in motorcycles.
Passion for reducing CO2 and plastic pollution to make the planet a better place.